What Youll Do:
Understanding the various margining methodologies cross asset and cross agreements and developing the internal view of margin.
Develop portfolio financing margin models in Arcesium s infrastructure.
Managing stakeholders expectations; being proactive in identifying their needs, articulating the scope of the offering, escalating issues in a timely manner, and showcasing persuasiveness in bringing about changes
Learn and enhance knowledge on complete Arcesium platform/industry, not restricted to current area of expertise.
Perform various activities like data gathering, GAP analysis, Mapping, Data transformation, Loading and reconciliation, BAU activities setup, Client parallel support etc. in Arcesium platform as a part of client implementation.
Work with technology teams as needed, by assisting in special projects, developing bespoke reports, developing specifications, product implementation and UAT.
What You ll need:
2 to 5 years of experience working in the Treasury (portfolio financing or counterparty credit risk in specific) coupled with in-depth domain / finance knowledge.
Collateral management and financing agreements as well as margin methodologies
Experience in market or counterparty credit risk to be able to analyze risk drivers of any securities portfolio.
An understanding of data sources such as Reuters, Bloomberg, Markit etc, for Treasury related attributes
Strong analytical skills, problem-solving skills, and attention to detail
Proven track-record of handling projects and improving processes.
Strong interpersonal skills with a collaborative attitude
Effective oral/written communications skills
Ability to work under pressure and take on additional operational tasks.
Proficient in Microsoft Office applications especially MS Excel
Hands on experience with VBA macros / Python will be a big plus.

Keyskills: Interpersonal skills Collateral management Bloomberg Reconciliation Manager Technology Gap analysis data privacy Macros Operations Python